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St. Joseph, Inc.
Variation of BCSC Cease Trade Order
Published Nov 9 2011
3 min read

Variation of BCSC Cease Trade Order

2011 BCSECCOM 511



Variation of Cease Trade Order

St. Joseph, Inc.

Sections 164 and 171 of the Securities Act, R.S.B.C. 1996, c. 418


¶ 1 On October 19, 2011, the Executive Director made an order (the Cease Trade Order) under section 164 of the Securities Act,R.S.B.C., 1996, c. 418 (the Act) that all trading in the securities of St. Joseph, Inc. (the Company) cease until it files the required records and the Executive Director revokes the Cease Trade Order.

¶ 2 Under section 171(1) of the Act, the Executive Director varies the Cease Trade Order to specify the required records. The Company is required to file the following:

      1. comparative annual financial statements for its financial years ended December 31, 2009 and December 31, 2010, as required under Part 4 of NI 51-502 and section 5(b) of BCI 51-509,

      2. interim financial statements for the interim periods ended March 31, 2011, and June 30, 2011, as required under Part 4 of National Instrument 51-102 Continuous Disclosure Obligations(NI 51-102) and section 5(b) of BCI 51-509,

      3. Form 51-102F1 Management's Discussion and Analysisfor the periods ended March 31, 2011, and June 30, 2011 as required under Part 5 of NI 51-102 and section 5(b) of BCI 51-509, 

      4. Form 51-102F2 Annual Information Formfor the years ended December 31, 2009 and December 31, 2010, as required under section 5(c) of BCI 51-509,

      5. Copies of the following documents that St. Joseph, Inc. filed with the United States Securities and Exchange Commission:

          (a) Form 8-K Current Reportdated and filed February 4, 2009,

          (b) Form D Notice of Exempt Offering of Securitiesdated and filed February 18, 2009,

          (c) Form SC 13G/A [Amend]Statement of acquisition of beneficial ownershipfiled February 19, 2009,

          (d) Form SC 13D General statement of acquisition of beneficial ownershipfiled March 17, 2009,

          (e) Form SC 13G/A [Amend]Statement of acquisition of beneficial ownershipfiled March 23, 2009, 

          (f) Form 8-K Current Reportdated and filed June 9, 2009, 

          (g) Schedule 14C Information Statementfiled September 22, 2009,

          (h) Form D Notice of Exempt Offering of Securitiesdated and filed October 8, 2010,

          (i) Form 8-K Current Reportdated September 14, 2011 and filed September 16, 2011, 

          (j) Form 8-K/A Current Reportfiled and dated September 20, 2011, and

          (k) Form 8-K/A Current Reportfiled and dated September 22, 2011,

          as required under section 11.1 of NI 51-502 and section and section 5(b) of BCI 51-509,
      6. Form 45-106F1 Report of Exempt Distributiondisclosing the private placements that occurred in the Company.


¶ 3 November 9, 2011




John Porges
Manager
Corporate Finance